| Return Reference | Explanation |
|---|---|
| Part I, Line 16 | Other Expenses: Credit Card processing fees, Advertising and promotion, Club gatherings/potluck expenses, PO Box, Government filing fees. |
| Part I, Line 20 | adjustment made to FY 2022 balance sheet. Minor adjustment made to FY 2022 figures (beginning of year): Decrease in cash of -$2,215. Increase in other assets of $2,563 resulted in Total Assets of $59,046 (increased by $1,348) |
| Part I, Line 8 | Other Revenue: Credit Card cash rebates and interest income |
| Part II, Line 24 | Minor adjustment made to FY 2022 figures (beginning of year): Decrease in cash of -$2,215. Increase in other assets of $3,563 resulted in Total Assets of $59,046 (increased by $1,348) |
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